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湖南汉森制药股份有限公司 关于2024年度拟不进行利润分配的 专项说明
Zheng Quan Ri Bao· 2025-04-26 00:11
Group 1 - The company held the sixth board meeting and the seventh supervisory board meeting on April 24, 2025, to review and approve the 2024 profit distribution plan, which will be submitted to the 2024 annual general meeting for approval [1][4]. - The audit committee found that the profit distribution plan aligns with the company's actual situation and does not harm the interests of shareholders, especially minority shareholders [1][3]. - The board of directors believes the profit distribution plan considers the company's current and future investment needs and is beneficial for the company's normal operations and healthy development [2][3]. Group 2 - The company achieved a net profit attributable to shareholders of 220,244,409.11 yuan for 2024, with the parent company reporting a net profit of 152,528,625.53 yuan [5]. - The profit distribution plan proposes not to distribute cash dividends, issue bonus shares, or increase capital from reserves, with undistributed profits carried forward to the next year [5][6]. - The decision to not distribute dividends is based on the company's development strategy and the need to maintain operational stability and risk resilience [6]. Group 3 - The company approved the use of idle self-owned funds for cash management, with a limit of up to 400 million yuan to purchase low-risk financial products or structured deposits [9][10]. - The purpose of this cash management is to enhance the efficiency of fund usage without affecting normal operations, thereby increasing returns for the company and its shareholders [9][10]. - The board and supervisory board agreed that the current financial situation is stable, and the proposed cash management will not adversely affect the company's operations [17][38]. Group 4 - The supervisory board meeting also approved the 2024 annual financial settlement report, which reflects the company's financial status and operating results accurately [28][31]. - The internal control evaluation report for 2024 was approved, indicating no significant deficiencies in the internal control system [37]. - The company will implement the cash management decision within a 12-month period from the approval date [13].
深圳威迈斯新能源(集团)股份有限公司 2025年第一季度报告
Zheng Quan Ri Bao· 2025-04-25 23:37
第一季度财务报表是否经审计 登录新浪财经APP 搜索【信披】查看更多考评等级 证券代码:688612 证券简称:威迈斯 本公司董事会及全体董事保证本公告内容不存在任何虚假记载、误导性陈述或者重大遗漏,并对其内容 的真实性、准确性和完整性依法承担法律责任。 重要内容提示 公司董事会、监事会及董事、监事、高级管理人员保证季度报告内容的真实、准确、完整,不存在虚假 记载、误导性陈述或重大遗漏,并承担个别和连带的法律责任。 公司负责人、主管会计工作负责人及会计机构负责人(会计主管人员)保证季度报告中财务信息的真 实、准确、完整。 □是 √否 一、 主要财务数据 (一) 主要会计数据和财务指标 单位:万元 币种:人民币 (二) 非经常性损益项目和金额 √适用 □不适用 单位:万元 币种:人民币 对公司将《公开发行证券的公司信息披露解释性公告第1号——非经常性损益》未列举的项目认定为非 经常性损益项目且金额重大的,以及将《公开发行证券的公司信息披露解释性公告第1号——非经常性 损益》中列举的非经常性损益项目界定为经常性损益的项目,应说明原因。 □适用 √不适用 (三) 主要会计数据、财务指标发生变动的情况、原因 √适用 ...
北京浩瀚深度信息技术股份有限公司
Shang Hai Zheng Quan Bao· 2025-04-25 03:02
登录新浪财经APP 搜索【信披】查看更多考评等级 2、公司于2023年8月21日分别召开第四届董事会第十一次会议、第四届监事会第十一次会议,审议通过 了《关于使用部分暂时闲置募集资金进行现金管理的议案》,同意公司在保证不影响募集资金投资计划 正常进行以及确保资金安全的前提下,拟使用不超过人民币24,000万元(包含本数)部分暂时闲置募集 资金(包括部分超募资金)进行现金管理,购买安全性高、流动性好、有保本约定的投资产品(包括但 不限于结构性存款、定期存款、大额存单、七天通知存款等),使用期限自董事会审议通过之日起12个 月内有效,在前述额度及使用期限范围内,资金可以循环滚动使用。 3、公司于 2024年8月26日分别召开第四届董事会第二十次会议、第四届监事会第十八次会议,审议通 过了《关于使用部分暂时闲置募集资金进行现金管理的议案》,同意公司在保证不影响募集资金投资计 划正常进行以及确保资金安全的前提下,拟使用不超过人民币17,000万元(包含本数)部分暂时闲置募 集资金(包括部分超募资金)进行现金管理,购买安全性高、流动性好、有保本约定的投资产品(包括 但不限于结构性存款、定期存款、大额存单、七天通知存款等 ...
武汉高德红外股份有限公司
Shang Hai Zheng Quan Bao· 2025-04-25 03:02
登录新浪财经APP 搜索【信披】查看更多考评等级 六、相关风险提示 1、本次利润分配预案披露前,公司严格按法律、法规、规范性文件及公司制度的有关规定,严格控制 内幕信息知情人范围,对相关内部信息知情人履行了保密和禁止内幕交易的告知义务,同时对内幕信息 知情人及时备案,防止内幕信息的泄露。 2、本次利润分配预案尚需提交公司2024年年度股东会审议通过后方可实施。 七、备查文件 1、第六届董事会第十次会议决议; 2、第六届监事会第八次会议决议; 3、第六届董事会独立董事专门会议2025年第一次会议决议。 特此公告。 武汉高德红外股份有限公司 董事会 二〇二五年四月二十四日 证券代码:002414 证券简称:高德红外 公告编号:2025-009 武汉高德红外股份有限公司 关于会计政策变更的公告 本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚假记载、误导性陈述或重大遗 漏。 武汉高德红外股份有限公司(以下简称"公司")于2025年4月24日召开第六届董事会第十次会议及第六 届监事会第八次会议审议通过了《关于会计政策变更的议案》,依据财政部相关规定对会计政策进行相 应变更,本次会计政策变更无需提请公司 ...
浙江出版传媒股份有限公司
Shang Hai Zheng Quan Bao· 2025-04-25 01:13
Core Viewpoint - The company Zhejiang Publishing Media Co., Ltd. has successfully managed its fundraising activities, ensuring compliance with regulatory requirements and effective use of raised funds for its projects [1][15][16]. Fundraising Overview - The company was approved to issue 22,222,222.23 shares at a price of RMB 10.28 per share, raising a total of RMB 228,444.45 million, with a net amount of RMB 220,650.49 million after expenses [1]. - As of December 31, 2024, the company has utilized RMB 15,401.04 million of the raised funds in the current year, totaling RMB 97,361.86 million since the fundraising began, leaving a balance of RMB 56,469.52 million [2][4]. Fund Management - The company has established a multi-party supervision agreement with its sponsor and commercial banks to ensure the proper management and use of the raised funds, adhering to regulatory requirements [1][2]. - The company has not used any idle funds to temporarily supplement working capital as of December 31, 2024 [5]. Fund Usage and Projects - The company has approved the use of RMB 80,000.00 million of idle funds for cash management, with the balance of such investments as of December 31, 2024, also being RMB 80,000.00 million [6]. - The company has not used any excess funds for ongoing or new projects as of December 31, 2024 [7]. Project Updates - The company has decided to change the implementation entity for the "Torch Knowledge Service Platform Construction Project" to Zhejiang Publishing Group Digital Media Co., Ltd., which holds the necessary licenses [9][10]. - The implementation timeline for several projects, including the "Information System Upgrade Project" and the "Online Education Service Platform Construction Project," has been extended to July 2027 due to various challenges [11][12]. Compliance and Reporting - The company has received positive verification reports from its accounting firm and sponsor, confirming that its fundraising management and usage comply with relevant regulations and accurately reflect the situation [15][16][17].
唯捷创芯(天津)电子技术股份有限公司
Shang Hai Zheng Quan Bao· 2025-04-24 23:30
登录新浪财经APP 搜索【信披】查看更多考评等级 公司及全资子公司拟向金融机构(包括银行、经国家金融监督管理总局批准设立的非银行金融机构)申 请合计不超过人民币35亿元的综合授信额度,融资方式包括但不限于贷款、银行保函或备用信用证、贸 易信用证、贴现、透支、汇票承兑、汇票保证、应收/应付账款融资、进口/出口融资等,具体以与银行 签署的协议为准。 为保障公司子公司日常经营需要的融资正常开展,公司为唯捷精测、上海唯捷、深圳唯捷在上述融资协 议额度项下提供必要担保,担保金额不超过人民币30,000万元,该担保金额可在上述子公司之间调剂使 用,担保方式为保证担保。 (二)内部决策程序 该事项已经公司第四届董事会第十三次会议审议通过,根据《上海证券交易所科创板股票上市规则》和 《公司章程》的有关规定,本担保事项经公司董事会审议通过后生效。 二、被担保人的基本情况 (一)被担保人一: 1、被担保人名称:北京唯捷创芯精测科技有限责任公司 2、成立日期:2020年1月19日 3、注册地址:北京市北京经济技术开发区科谷四街1号院16号楼 4、法定代表人:周颖 5、注册资本:20,000万元人民币 6、经营范围:半导体集成电路、 ...
普莱柯生物工程股份有限公司
Shang Hai Zheng Quan Bao· 2025-04-24 23:26
登录新浪财经APP 搜索【信披】查看更多考评等级 5、公司将依据相关规定,及时做好信息披露工作,并在定期报告中披露报告期内使用闲置资金进行现 金管理的具体情况。 公司本次使用部分闲置自有资金进行现金管理,仅投资于安全性高、流动性好的短期保本或稳健型理财 产品,投资风险可控;但金融市场受宏观经济、市场波动的影响,不排除投资收益具有一定的不可预期 性。敬请广大投资者谨慎决策,注意防范投资风险。 五、决策程序的履行情况 公司于2025年4月24日召开第五届董事会第十八次会议、第五届监事会第十二次会议,分别审议通过了 《关于使用部分闲置自有资金进行现金管理的议案》;同意自股东大会审议通过之日起12个月内,在保 证正常经营所需流动资金的情况下,使用不超过人民币6.5亿元暂时闲置自有资金进行现金管理;在上 述额度内,该类资金可以单笔或分笔进行单次或累计滚动不超过一年期的现金管理,并授权由公司法定 代表人或其授权人员行使投资决策职责和具体实施。 该议案尚需提交股东大会审议通过。 特此公告 三、对公司的影响 1、公司本次使用部分闲置自有资金进行现金管理,是在确保公司日常经营和资金安全的前提下实施 的,不影响日常经营资金的正常 ...
深圳市雷赛智能控制股份有限公司
Shang Hai Zheng Quan Bao· 2025-04-24 23:17
Group 1 - The company plans to use up to RMB 600 million of idle funds for cash management, which is expected to enhance the efficiency of fund utilization and generate investment returns for shareholders [3][4][30] - The board of directors and the supervisory board have approved the cash management proposal, confirming that it will not adversely affect the company's operations or the interests of shareholders, especially minority shareholders [2][3][4] Group 2 - The company will hold an online performance briefing on April 27, 2025, to discuss the 2024 annual report and the first quarter of 2025, allowing investors to engage and ask questions [8][9][10] - The company has reported a net profit of RMB 200.46 million for 2024, with a proposed cash dividend of RMB 3.2 per 10 shares, amounting to a total cash dividend of approximately RMB 97.5 million, which represents 63% of the net profit [14][15][17] Group 3 - The company has changed its accounting policies in accordance with new regulations issued by the Ministry of Finance, which will take effect from January 1, 2024, and will not significantly impact the company's financial status or results [18][23][25] - The supervisory board and the audit committee have reviewed and approved the changes in accounting policies, confirming compliance with relevant laws and regulations [24][26][39] Group 4 - The company has approved a financial assistance program for employees to purchase homes, with a maximum annual loan amount of RMB 30 million, which is expected to enhance employee welfare and retention [50][51][59] - The financial assistance will be interest-free and subject to specific conditions, ensuring that it does not affect the company's normal operations [54][55][59]
浙江中科磁业股份有限公司 2024年年度募集资金存放与使用情况的 专项报告
Zheng Quan Ri Bao· 2025-04-23 22:18
登录新浪财经APP 搜索【信披】查看更多考评等级 证券代码:301141 证券简称:中科磁业 公告编号:2025-013 本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚假记载、误导性陈述或重大遗 漏。 一、 募集资金基本情况 (一) 实际募集资金金额及资金到位情况 经中国证券监督管理委员会《关于同意浙江中科磁业股份有限公司首次公开发行股票注册的批复》(证 监许可[2023]364号)同意注册,公司首次公开发行人民币普通股(A股)股票2,215万股,发行价格为 41.20元/股,募集资金总额为912,580,000.00元,扣除不含增值税发行费用87,752,862.12元后,募集资金 净额为824,827,137.88元。上述募集资金已于2023年3月29日全部到位并存放于公司募集资金专户管理, 立信会计师事务所(特殊普通合伙)对募集资金到位情况进行了审验,并出具了《验资报告》(信会师 报字[2023]第ZA10689号)。募集资金到账后,公司已对募集资金进行了专户存储,公司、保荐机构与 募集资金开户行签署了《募集资金三方监管协议》。 (二) 募集资金使用和结余情况 截至2024年12月31 ...
四川海特高新技术股份有限公司关于使用自有资金进行现金管理的公告
Shang Hai Zheng Quan Bao· 2025-04-23 19:35
Group 1 - The company plans to use up to 400 million RMB of its own funds for cash management, ensuring it does not affect normal operations [1][4][14] - The investment aims to maximize shareholder value by improving fund efficiency and increasing investment returns [1][12] - The investment products will include low-risk financial products issued by banks, fund companies, and other financial institutions [2][8] Group 2 - The authorization period for the cash management is valid for one year from the date of the board's approval [3][4] - The funds can be used in a rolling manner within the approved limit [4][14] - The board has authorized the chairman to make investment decisions and sign relevant legal documents [4][9] Group 3 - The company has no related party relationships with the financial institutions from which it plans to purchase investment products [7] - The company will comply with relevant disclosure regulations to ensure transparency [6][11] Group 4 - The company believes that using part of its own funds for cash management will not impact its daily operations and can enhance overall performance [12][16] - The board and supervisory committee have approved the cash management proposal, confirming it aligns with the company's operational needs [13][14][16] Group 5 - The company has a history of purchasing low-risk financial products, with all principal and returns from previous investments being recovered as scheduled [20] - The company will continue to monitor the performance of its investments and take necessary measures to mitigate risks [19]